Preview

Risk and Return Tradeoff Memo

Better Essays
Open Document
Open Document
1110 Words
Grammar
Grammar
Plagiarism
Plagiarism
Writing
Writing
Score
Score
Risk and Return Tradeoff Memo
RUNNING HEAD: RISK

Risk and Return Tradeoff Memo

The process of portfolio construction can be quite complex. Analysts go through reams of statistics – past performance, future potential, and industry knowledge and rely on personal insights into the market to arrive at the final list (UOP, 2009). Every investor aims to maximize returns while minimizing risk. Individual securities must be evaluated not only on the risk-return trade-off in isolation but also on their contribution to the risk-return tradeoff of the entire portfolio. This memo will be based on the Constructing and Managing a Portfolio Simulation that details the fundamentals of portfolio construction in relation to the risk-return tradeoff and the relationship between investment strategy and investment performance. As a treasury analyst for Casa Bonita Ceramics, I was tasked to select the best stocks and allocate company resources to construct a portfolio. This memo will detail my decisions made in the simulation, discuss the Sharpe ratio and how it relates to investment decisions, and lastly, provide recommendations for changes in the organization’s investment strategy in order to improve its investment performance.

Simulation Decisions

From excess cash generated in 2004, the company decided to invest $800,000 in the stock market in which eight stocks had already been chosen. With the consideration of a high return without the risk of losing capital in mind, I narrowed it down to the final four stocks worth investing in: Desktop, Inc., Levinthal Defense Systems, Transconduit, Inc., and Goldstein and Delaney Bank. This was an astute stock selection and showed good judgment by diversifying the stock selection to reduce stock-specific risks.

The next task was to allocate the $800,000 in a manner that maximized portfolio return and kept the portfolio risk below 22 percent. I chose to distribute the funds evenly between the four stocks, which resulted in 20.45% portfolio



References: Investopedia. (2009). Sharpe ratio. Retrieved July 5, 2009, from http://www.investopedia.com/terms/s/sharperatio.asp University of Phoenix. (2009). Constructing and managing a portfolio simulation. Retrieved July 5, 2009, from https://mycampus.phoenix.edu

You May Also Find These Documents Helpful

  • Powerful Essays

    The world of finance in today’s market is one of numerous ups and downs. With the global economy in constant flux, it is more important than every for companies to examine their financial status and compare their position to that of the relative market as well as their fellow competitors. In order to better understand the ways in which today’s managers examine their position on the market and evaluate their current value as a company we will examine the financial data of Lockheed Martin Corporation and perform a detailed financial analysis on the company. In this analysis we will examine financial rations of Lockheed Martin and in turn compare these rations to that of fellow market competitors. Upon completion of our financial analysis we will be able to understand the financial position of Lockheed Martin as well as the position of Lockheed Martin in their respective market, and in turn we will be able to fully comprehend the methods and data used by companies in order to evaluate their company.…

    • 3132 Words
    • 13 Pages
    Powerful Essays
  • Powerful Essays

    Fin 421 Case

    • 4576 Words
    • 19 Pages

    The following case provides an analysis of six publicly traded stocks for the purpose of determining which amongst them would be prime candidates for a portfolio in terms of optimal return. Specifically, this paper discusses what options should be written or bought and exercised on the qualifying stocks to maximize profits. In order to accomplish this task the stocks will be measured and compared based on their market performance in terms of returns, betas and volatility, using historical data (recorded stock prices) and regression analysis. Initially the stocks are analyzed using historical returns to derive expected returns and standard deviations, or deviations from the mean or average market return.…

    • 4576 Words
    • 19 Pages
    Powerful Essays
  • Powerful Essays

    Finance 367 Stock Trak Paper

    • 3160 Words
    • 13 Pages

    Portfolio management is a tactic used by not only those in the financial sector of the business world, but also by individual’s managing their own personal finances. Therefore, it important to develop and implement investment strategies in order to gain the most on a portfolio – be it as a mutual fund manager or an individual planning for retirement. Tools such as Stock-Trak, an online portfolio simulation, allow students to gain hands on experience testing different investment strategies in a risk-free, yet realistic environment. From February 1 to April 30, 2010 I took part in one such simulation by managing an online Stock-Trak portfolio. After being given $1,000,000 with which to invest, all monetary decisions were at my discretion. This paper discusses my portfolio’s performance, the strategies used during the simulation, what I learned in the process, and how I will implement the knowledge gained from the simulation in future investments.…

    • 3160 Words
    • 13 Pages
    Powerful Essays
  • Good Essays

    Course Overview: This course surveys the basic principles and techniques of security and investment analysis. It covers capital markets, stocks, fixed-income portfolios, options, futures contracts and other derivatives. Market analysis methods are examined, and sources of analytical information and their use are studied. Prerequisite: FINA 300.…

    • 1079 Words
    • 9 Pages
    Good Essays
  • Best Essays

    Gilead Science Case

    • 3088 Words
    • 13 Pages

    This report was written to analyze and examine whether investing in the Gilead Sciences Inc. stock is feasible. Nine main factors were used in reaching conclusions and recommendations, six of which are fundamental factors and three of which are technical factors, as follows:…

    • 3088 Words
    • 13 Pages
    Best Essays
  • Good Essays

    Currently Lockheed Martin is the largest defense contractor in the world, their net sales for the 2014 fourth quarter were a staggering $12.5 billion with a total of $45.6 billion for all of 2014. The aeronautics department specifically reported a sales increase of 6% or in a monetary form $237 million from the 2013 report. These impressive financial numbers, immense size, and dispersed operation locations are great indicating factors that Lockheed’s company is operating successfully within the global securities market. Lockheed has several strengths that allow it to continue to provide its investors with a good ROE annually. Fist, an obvious strength is the barriers to new market entrees established by the government; this limits the amount…

    • 437 Words
    • 2 Pages
    Good Essays
  • Satisfactory Essays

    To make sure that we can identify your exam if your student ID number is hard to read,…

    • 518 Words
    • 5 Pages
    Satisfactory Essays
  • Best Essays

    Swot Analysis Of Telstra

    • 3953 Words
    • 16 Pages

    The Forbes Group 2012, ‘Portfolio Analysis Matrix Explanation and Questionnaire.’ The Forbes Group Toolbox. Available 13 December 2012 at http://www.forbesgroup.com/uploads/toolbox/Portfolio-Analysis-Matrix-explanation-and-questionnaire.doc…

    • 3953 Words
    • 16 Pages
    Best Essays
  • Satisfactory Essays

    You are to develop a portfolio of the proposed investment, giving the rationale for each investment decision made.…

    • 349 Words
    • 2 Pages
    Satisfactory Essays
  • Satisfactory Essays

    Risk and Return

    • 1156 Words
    • 5 Pages

    You have a $1,000 portfolio which is invested in stocks A and B plus a risk-free asset.…

    • 1156 Words
    • 5 Pages
    Satisfactory Essays
  • Powerful Essays

    Stocktrak Report

    • 2371 Words
    • 10 Pages

    Monday, September 10, 2012, I started Stock-Trak, an online portfolio game. Stock- Trak allowed me to gain hands on experience testing different investment strategies in a risk-free, yet realistic environment. From September 10 to November 16, 2012, I took part in one such simulation by managing an online Stock-Trak portfolio. I was given an initial amount of $100,000 pretend cash with which to invest. All monetary decisions were at my discretion. This paper discusses my trading experience , my portfolio’s performance, the strategies used during the simulation, what I learned in the process, and how I will implement the knowledge gained from the simulation in future investments.…

    • 2371 Words
    • 10 Pages
    Powerful Essays
  • Good Essays

    Stock Market Project

    • 920 Words
    • 3 Pages

    One million dollars was made available to invest in four companies. In order to decide on these four companies careful research and planning had to take place. In order to make the process easier companies familiar to day to day operations or in the recent news were chosen and the final four were narrowed down based off of their financial reports. These final four were AT&T, Exxon, Apple and Wal-mart.…

    • 920 Words
    • 3 Pages
    Good Essays
  • Better Essays

    Risk Management Definition

    • 2087 Words
    • 9 Pages

    Definition: A simulation technique used on asset and liability portfolios to determine their reactions to different financial situations.…

    • 2087 Words
    • 9 Pages
    Better Essays
  • Better Essays

    References: Colorado Technical University Online. (2012). Finc605-1204B-01: Corporate portfolio management: Task list: Phase 1 discussion board. Retrieved from https://campus.ctuonline.edu/pages/MainFrame.aspx?ContentFrame=/Home/Pages/Default.aspx…

    • 941 Words
    • 4 Pages
    Better Essays
  • Powerful Essays

    Overall, our group adopted a risk adverse approach for our initial portfolio and invested 40% in Hyflux, 20% in Artivision and 40% in the money market fund.…

    • 2994 Words
    • 12 Pages
    Powerful Essays

Related Topics